Lyxor Investment Funds EuroGovies Risk Balanced SI (EUR)Regístrese para Ver el Rating |
Cómo se ha comportado este fondo | 31/10/2024 |
Crecimiento de 1.000 (EUR) | Gráfico Avanzado |
Fondo | 0,0 | -0,1 | -0,1 | 3,0 | 2,5 | |
+/-Cat | -3,3 | 2,8 | 15,5 | -3,3 | 1,7 | |
+/-Ind | -5,0 | 3,3 | 18,1 | -3,8 | 1,5 | |
Categoría: RF Deuda Pública EUR | ||||||
Benchmark de la Categoría: Morningstar EZN Trsy Bd GR EUR |
Estadística Rápida | ||
VL 21/11/2024 | EUR 104598,71 | |
Cambio del día | 0,04% | |
Categoría Morningstar™ | RF Deuda Pública EUR | |
ISIN | LU1135602404 | |
Patrimonio (Mil) 20/11/2024 | EUR 425,74 | |
Patrimonio Clase (Mil) 20/11/2024 | EUR 73,19 | |
Comisión Máx. Suscripción | 2,50% | |
Gastos Corrientes 18/01/2024 | 0,15% |
Objetivo de inversión: Lyxor Investment Funds EuroGovies Risk Balanced SI (EUR) |
The Sub-Fund is to provide a net capital appreciation (taking into account all fees and expenses attributable to the Sub-Fund) over a 3 to 5 years period. The Sub-Fund actively invests, based on a proprietary risk-based asset allocation methodology developed by Lyxor, in a universe of debt securities primarily issued or guaranteed by Austria, Belgium, Finland, France, Germany, the Grand Duchy of Luxembourg and the Netherlands as long as their debt is rated investment grade or any other EU Member States with a credit rating of AA- or above (i.e. average Fitch Ratings, Standard and Poor’s and Moody’s ratings) (a "Core Member State of the European Union (EU)") or by other Eligible Issuers (as defined hereafter). |
Returns | |||||||||||||
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Gestión | ||
Nombre del gestor Fecha Inicio | ||
Jean Sayegh 18/11/2014 | ||
Philippe Carpentier 18/11/2014 | ||
Creación del fondo 18/11/2014 |
Anuncio publicitario |
Benchmark de la Categoría | |
Benchmark de fondos | Benchmark Morningstar |
EONIA EUR | Morningstar EZN Trsy Bd GR EUR |
Target Market | ||||||||||||||||||||
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Qué posee el fondo Lyxor Investment Funds EuroGovies Risk Balanced SI (EUR) | - |
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